Choose from a range of portfolios, from four different investment managers.

Investment managers on our Grow menu


Pure Index Simplicity


AMP Investments provides straightforward, index-based portfolios focused on Australian and international equities and fixed interest. Their purely passive approach offers transparency, consistency, and low-cost market exposure.

Smart Beta Innovation for Strategic Growth

Betashares uses passive and enhanced index ETFs to construct diversified portfolios that go beyond traditional indexing. Their value is in delivering a cost-effective portfolio with the potential to outperform traditional passive benchmarks through prudent use of enhanced indices. The result is robust asset allocation with factor-based precision, aiming to improve risk-adjusted returns.

Agile portfolios for dynamic markets


Mercer employs a strategic manager of managers approach, anchoring portfolios with passive exposures and layering in high-conviction active manager positions seeking to enhance returns and manage risk. Their strategy creates diversified portfolios underpinned by rigorous research

Active insights with direct equity holdings market exposure

Elston is a managed account specialist with a proven track record in constructing and managing direct equity portfolios. Their expertise lies in delivering sensibly constructed, valuation-aware solutions that combine high-conviction Australian equities with selective passive exposures. Grounded in the 5Ps – Philosophy, Process, People, Portfolio, and Performance – Elston’s approach reflects a disciplined, transparent, and actively managed investment process designed to deliver long-term value for clients

Portfolios

AMP Investments

 
North Code   Portfolio name   Portfolio summary   Investment objective   Downloads
NTH0579  

Grow Index Balanced Portfolio

 

 

Type: Multi asset

Style: Index

Growth/Defensive: 70/30

Benchmark: Morningstar Australian Multi-Sector Growth Average Category

Minimum investment horizon: 5 years

Risk band and risk label: 6/High

  The portfolio aims to perform in-line with the stated benchmark over a rolling five-year period.   TMD (PDF)
NTH0580
  Grow Index Growth Portfolio  

Type: Multi asset

Style: Index

Growth/Defensive: 85/15

Benchmark: Morningstar Australian Multi-Sector Aggressive Average Category

Minimum investment horizon: 7 years

Risk band and risk label: 6/High

  The portfolio aims to perform in-line with the stated benchmark over a rolling seven-year period.   TMD (PDF)
NTH0581   Grow Index High Growth Portfolio  

Type: Multi asset

Style: Index

Growth/Defensive: 100/0

Benchmark: Morningstar Australian Multi-Sector Aggressive Average Category

Minimum investment horizon: 10 years

Risk band and risk label: 6/High

  The portfolio aims to perform in-line with the stated benchmark over a rolling ten-year periods.  

TMD (PDF)

 

 

Explore AMP Investments full range of managed portfolios on North:

Diversified Managed portfolios        

Betashares

 
North Code   Portfolio name   Portfolio summary   Investment objective   Downloads
NTH0573  

Betashares Growth Portfolio - Growth

 

Type: Multi assets with ETFs

Style: Enhanced indexing

Benchmark: Morningstar Australia Growth Target Allocation NR AUD

Minimum investment horizon: 7 years

Risk band and risk label: 5/Medium to High

  The portfolio aims to match or outperform the benchmark return over a rolling seven-year period   TMD (PDF)
NTH0574
  Betashares Growth Portfolio - High Growth  

Type: Multi assets with ETFs

Style: Enhanced indexing

Benchmark: Morningstar Australia Aggressive Target Allocation NR AUD

Minimum investment horizon: 7 years

Risk band and risk label: 6/High

  The portfolio aims to match or outperform the benchmark return over a rolling seven-year period   TMD (PDF)
NTH0575   Betashares Grow Portfolio - All Growth  

Type: Multi assets with ETFs

Style: Enhanced indexing

Benchmark: Morningstar Australia Aggressive

Target Allocation NR AUD

Minimum investment horizon: 7 years

Risk band and risk label: 6/High

  TheThe portfolio aims to match or outperform the benchmark return over a rolling seven-year period  

TMD (PDF)

 

 

Explore Betashares other portfolio offerings on North:

Diversifed Managed Portfolios

Mercer

 
North Code   Portfolio name   Portfolio summary   Investment objective   Downloads
NTH0582  

Mercer CoreSeries Enhanced 70 Grow

 

Type: Diversified/Multi asset

Style: Blend of passive and active asset allocation

Benchmark: Consumer Price Index (CPI) + 3.0% per annum

Minimum investment horizon: 7 years

Risk band and risk label: 5/ Medium to High

  The portfolio aims to deliver a return above the CPI + 3.0%, after fees, on a rolling seven-year period.   TMD (PDF)
NTH0583
  Mercer CoreSeries Enhanced 85 Grow  

Type: Diversified/Multi asset

Style: Blend of passive and active asset allocation

Benchmark: Consumer Price Index (CPI) + 3.5% per annum

Minimum investment horizon: 10 years

Risk band and risk label: 6/High

  The portfolio aims to deliver a return above the CPI + 3.5%, after fees, on a rolling ten-year period.   TMD (PDF)
NTH0584   Mercer CoreSeries Enhanced 100 Grow  

Type: Diversified/Multi asset

Style: Blend of passive and active asset allocation

Benchmark: Consumer Price Index (CPI) + 4.0% per annum

Minimum investment horizon: 10 years

Risk band and risk label: 6/High

  The
portfolio aims to deliver a return above the CPI + 4.0%, after fees,on a rolling ten-year period.
 

TMD (PDF)

 

 

Explore Mercers other portfolio offerings on North:

Diversifed Managed Portfolios

Elston

 
North Code   Portfolio name   Portfolio summary   Investment objective   Downloads
NTH0576  

Elston Grow - Growth 70 Portfolio

 

Type: Multi asset/multi manager with listed securities

Style: Active asset allocation

Benchmark: Morningstar Australia Growth Target Allocation NR AUD

Minimum investment horizon: 5 years

Risk band and risk label: 6/High

  The portfolio aims to outperform the benchmark return after fees, over a rolling five-year period.   TMD (PDF)
NTH0577
  Elston Grow - Growth 85 Portfolio  

Type: Multi asset/multi manager with listed securities

Style: Active asset allocation

Benchmark: Morningstar Australia Aggressive Target Allocation NR AUD

Minimum investment horizon: 6 years

Risk band and risk label: 6/High

  The portfolio aims to outperform the benchmark return after fees, over a rolling six-year period.   TMD (PDF)
NTH0578   Elston Grow - Growth 97 Portfolio  

Type: Multi asset/multi manager with listed securities

Style: Active asset allocation

Benchmark: Morningstar Australia Aggressive Target Allocation NR AUD

Minimum investment horizon: 7 years

Risk band and risk label: 6/High

  The portfolio aims to outperform the benchmark return after fees, over a rolling seven-year period.  

TMD (PDF)

 

 

Explore Elston's other portfolio offerings on North:
Diversified Managed Portfolios 
Single Sector Managed Portfolios

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